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STATEMENT OF STOCKHOLDERS' EQUITY (DEFICIENCY) (Unaudited) - CAD
Common Stock [Member]
Additional Paid-In Capital [Member]
Subscriptions Received in Advance [Member]
Cumulative Translation Adjustment [Member]
Deficit [Member]
Total
Beginning Balance at Jul. 31, 2014 CAD 793 CAD 337,716   CAD (49,161) CAD (1,070,770) CAD (781,422)
Beginning Balance (Shares) at Jul. 31, 2014 792,518          
Shares issued for cash CAD 6,000 204,000       210,000
Shares issued for cash (Shares) 6,000,002          
Shares issued for debt CAD 31,505 616,152       647,657
Shares issued for debt (Shares) 31,504,677          
Cumulative translation adjustments       (117,502)   (117,502)
Warrants exercised           0
Share-based payments           0
Loss for the period         (132,733) (132,733)
Ending Balance at Jul. 31, 2015 CAD 38,298 1,157,868   (166,663) (1,203,503) (174,000)
Ending Balance, in shares at Jul. 31, 2015 38,297,197          
Beginning Balance at Jul. 31, 2014 CAD 793 337,716   (49,161) (1,070,770) (781,422)
Beginning Balance (Shares) at Jul. 31, 2014 792,518          
Loss for the period           (132,733)
Ending Balance at Jul. 31, 2016 CAD 32,867 2,475,194   (166,663) (1,836,969) 504,429
Ending Balance, in shares at Jul. 31, 2016 32,866,261          
Beginning Balance at Jul. 31, 2015 CAD 38,298 1,157,868   (166,663) (1,203,503) (174,000)
Beginning Balance (Shares) at Jul. 31, 2015 38,297,197          
Beginning Balance, in shares at Jul. 31, 2015 38,297,197          
Shares issued for cash CAD 6,050 598,950       605,000
Shares issued for cash (Shares) 6,050,000          
Shares surrender and cancellation CAD (13,000) 13,000        
Shares surrender and cancellation, in shares (13,000,186)          
Share issuance costs   (124,403)       (124,403)
Share-based payments   369,006       369,006
Loss for the period         (489,132) (489,132)
Ending Balance at Jan. 31, 2016 CAD 31,348 2,014,421   (166,663) (1,692,635) 186,471
Ending Balance, in shares at Jan. 31, 2016 31,347,011          
Beginning Balance at Jul. 31, 2015 CAD 38,298 1,157,868   (166,663) (1,203,503) (174,000)
Beginning Balance (Shares) at Jul. 31, 2015 38,297,197          
Beginning Balance, in shares at Jul. 31, 2015 38,297,197          
Shares issued for cash CAD 6,069 600,856       606,925
Shares issued for cash (Shares) 6,069,250          
Shares surrender and cancellation CAD (13,000) 13,000        
Shares surrender and cancellation, in shares (13,000,186)          
Shares issued for mineral property CAD 1,500 238,500       240,000
Shares issued for mineral property, in shares 1,500,000          
Warrants exercised           1,925
Warrants issued for mineral property   223,031       223,031
Share issuance costs   (127,067)       (127,067)
Share-based payments   369,006       369,006
Loss for the period         (633,466) (633,466)
Ending Balance at Jul. 31, 2016 CAD 32,867 2,475,194   (166,663) (1,836,969) 504,429
Ending Balance, in shares at Jul. 31, 2016 32,866,261          
Beginning Balance at Jan. 31, 2016 CAD 31,348 2,014,421   (166,663) (1,692,635) 186,471
Beginning Balance, in shares at Jan. 31, 2016 31,347,011          
Shares issued for cash CAD 19 1,906       1,925
Shares issued for cash (Shares) 19,250          
Shares issued for mineral property CAD 1,500 238,500       240,000
Shares issued for mineral property, in shares 1,500,000          
Warrants issued for mineral property   223,031       223,031
Share issuance costs   (2,664)       (2,664)
Loss for the period         (144,334) (144,334)
Ending Balance at Jul. 31, 2016 CAD 32,867 2,475,194   (166,663) (1,836,969) 504,429
Ending Balance, in shares at Jul. 31, 2016 32,866,261          
Beginning Balance (Shares) at Jul. 31, 2016 32,866,261          
Shares issued for cash CAD 22,839 4,567,811       4,590,650
Shares issued for cash (Shares) 22,839,500          
Shares issued for mineral property CAD 920 183,080       184,000
Shares issued for mineral property, in shares 920,000          
Shares issued for compensation CAD 400 59,600       60,000
Shares issued for compensation, in shares 400,000          
Warrants exercised CAD 272 26,936       27,208
Warrants exercised, in shares 272,080          
Options exercised CAD 400 59,600       60,000
Options exercised, in shares 400,000          
Subscriptions received in advance     CAD 678,650     678,650
Share issuance costs   (240,478)       (240,478)
Share-based payments   1,010,064       1,010,064
Loss for the period         (3,285,186) (3,285,186)
Ending Balance at Apr. 30, 2017 CAD 57,698 CAD 8,141,807 CAD 678,650 CAD (166,663) CAD (5,122,155) CAD 3,589,337
Ending Balance, in shares at Apr. 30, 2017 57,697,841         5,729,142